Financial Controller - Oil & Gas Co.

وصف الوظيفة


Leverage your abilities and join the dynamic team of a leading company specializing in the Oil & Gas

industry in Maadi, Egypt.

Job Context: working as Financial Controller is responsible for managing all financial functions, including accounts receivables, accounts payables, treasury management, and taxation.

Key Accountabilities

The position involves:

  • Oversee and manage the company's financial operations, ensuring accuracy, efficiency, and compliance with regulations.
  • Develop and implement financial policies, procedures, and internal controls to safeguard company assets.
  • Supervise the accounts payable and receivable teams, ensuring timely and accurate processing of transactions.
  • Monitor and review financial transactions to identify and rectify any discrepancies or errors.
  • Manage cash flow, forecast and analyze cash needs, and optimize working capital.
  • Prepare financial statements, reports, and analyses for management, stakeholders, and regulatory bodies.
  • Ensure compliance with tax laws and regulations by managing all tax-related matters, including preparation and filing of tax returns.
  • Liaise with external auditors and oversee the completion of annual audits.
  • Conduct financial analysis and provide recommendations to improve profitability, efficiency, and financial performance.
  • Collaborate with other departments to develop budgets and financial forecasts.
  • Stay updated with industry trends, changes in financial regulations, and best practices in financial management.

Knowledge, Skills, And Experience

We Are Looking For:

  • Minimum of 10 years of experience in financial management, preferably in a senior role.
  • Bachelor's degree in finance, accounting, or a related field
  • A professional certification (e.g., CPA, CMA) is must.
  • Strong knowledge of accounting principles and financial analysis.
  • Proficient in financial software and systems, including ERP and accounting software.
  • Excellent understanding of taxation laws and regulations.
  • Proven experience in managing cash flow, working capital, and financial risk.
  • Ability to lead and develop a team, fostering a collaborative work environment.
  • Strong analytical and problem-solving skills.
  • Exceptional attention to detail and accuracy.
  • Effective communication skills, both written and verbal, to interact with internal and external stakeholders.